TABLE OF COMMISSIONS AND CHARGES CONCERNING PERSONAL AND COMMERCIAL ACCOUNTS CHARGES FOR CREDIT FACILITIES (CURRENT ACCOUNTS / LOANS)

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1 TABLE OF COMMISSIONS AND CHARGES CONCERNING PERSONAL AND COMMERCIAL ACCOUNTS CHARGES FOR CREDIT FACILITIES (CURRENT ACCOUNTS / LOANS) Documentation fees Fixed charge for Individuals / Small Businesses for facilities up to Fixed charge for Individuals / Small Businesses for facilities over Fixed Charge for Small to Medium Enterprises Fixed Charge for Corporate Customers Mortgage withdrawal 50 In cases of early repayment (excluding refinancing) Cancellation fees for the non-execution of approved facilities 0,50%/ 850 Minimum / Maximum charge Commitment fees 1.50% Quarterly, on the daily balance of the unutilised balance of the loan. Withdrawal of loans fee 20 For every withdrawal Early Repayment/Prepayment charges Current account unauthorised excesses (over the limit authorised) Account excesses on credit accounts Loan arrears HIRE PURCHASE CHARGES ) Loans under the Consumer Credit Act - According to the provisions of the Legislation 2) Variable Interest Loans - upto 6 Months' interest 3) Fixed Interest Loans - The cost of the Bank, depending on the time of the early repayment / prepayment and the interest rates of the market prevailing at the time. Charge of additional interest on unauthorised excess balances which remains in effect whilst the unauthorised balance is outstanding. Charged upon termination of account. For each day a debit transaction takes place on an account resulting to the creation or increase of the unauthorised excess over limit. Charge of additional interest on unauthorised debit balances (in addition to the maximum interest in effect for overdraft accounts). For each day a debit transaction takes place on an account resulting to the creation or increase of the debit amount. Charge of additional interest on arrears which remains in effect for as long as arrears are outstanding. Charged upon termination of account. Each month, for the first three months the loan is in arrears. Each month, after the third month that the loan is in arrears. Documentation fees (For deals between private concerns) Option to Purchase fee Hire Purchase Loan arrears / CHF80 STG Stock Finance Loan arrears CHARGES FOR OTHER SERVICES RENDERED Fixed charge for Individuals / Small Businesses for facilities up to Fixed charge for Individuals / Small Businesses for facilities over Fixed charge for Small to Medium Enterprises Fixed charge for Corporate Customers Loans in Euro / in Swiss Francs Loans in Sterling Pounds Charge of additional interest on arrears which remains in effect for as long as arrears are outstanding. Each month, for the first three months the loan is in arrears. Each month, after the third month that the loan is in arrears. Charge of additional interest on arrears which remains in effect for as long as arrears are outstanding. Maintenance fee for all current accounts with an overdraft Maintenance fee for IBU customers Up to Over Annually Quarterly charge Quarterly charge - For legal entities only Cheque returned due to insuf. funds 30 Per cheque (drawer's charge) Postdated cheque 5 Per cheque (beneficiary's charge) Cheque returned unpaid twice or more due to insufficient funds 10 Per cheque (beneficiary's charge) Stop payment request 8 / 20 Minimum charge for each cheque / Maximum charge for each request Service Charge for Current A/c in Euro & Foreign Curr. Dormant accounts (notice accounts categ.05/06) 2,50-5 2, Minimum/Maximum charge for individuals Minimum/Maximum charge for enteprises Charged at the end of every six-month period if the account is dormant and the balance is less than 200. When the balance is less than 5 the account is charged with the amount which evens the balance of the account to zero E P1 Effective as from: 01/02/2015

2 Service Charge for savings accounts 5 Notice accounts (categ.05/06) 35-day Euro notice accounts (categ.41) (Bank cost for withdrawals without written notice). Payment of a fixed dep.a/c with fixed Interest rate before maturity 1m Euribor +1% Annual Fee. When the balance is less than 5 the account is charged with the amount which evens the balance of the account to zero. Withdrawals of up to 2.000, allowed once a month, free of charge. Withdrawals of up to 1.500, allowed once a month, free of charge. The charge of withdrawals from Notice A/cs under the Fixed Deposit Categories (07,42) is the same as the charge of the respective F/D withdrawals. The bank charge is calculated on the basis of the amount withdrawn and the days that remain until the maturity date of the deposits. The amount paid to the customer is the initial amount of deposit plus interest for the whole tenor of the deposit, reduced by an interest amount calculated for the number of days that remain until the maturity date of the deposit, by using the average of the prevailing Euribor/Libor (as the case may be) for the number of days until the maturity of the deposit plus a spread according to the tenor of the deposit: Fixed deposit up to 8 days : Fixed deposit from 9 to 35 days : 3% Fixed deposit over 35 days : 5% Chequebooks 10 Charge for local and foreign currency accounts (USD/GBP) Chequebooks of special printing Cheques printed on continuous paper 5 Special Presentation 20 Charges depend on the number and colour of cheques Per 100 cheques. Additional stamp duty of 0,05 is charged for every cheque. The cost of printing is not included For each cheque that Bank of Cyprus presents to other local Banks or for every Bank of Cyprus cheque presented to other local Banks Return of paid cheques to drawer 5 Per cheque. Maximum amount 17 for each date. Standing order 6 1,70 2,50 3,40 Direct Debit 6 Opening / Modification Opening / Modification Transfers to other Bank of Cyprus customers Transfers to other locals banks Non execution due to insufficient funds Charge for non automated payrolls 2 / 200 Minimum/maximum charge per employee Issue of local Bankers Drafts 0,15% Minimum charge 5, maximum charge 10 Filing of statements/corresp. at the Bank Filing of IBU Customer statements and correspondence at the Bank 70 Annual charge Annual charge for individuals Annual charge for legal entities Copy of account statement 4 For each period statement (irrespective of number of pages) Copies of vouchers, cheques, etc. 5 / 20 Minimum/maximum charge for each date requested Printing of a temporary a/c statement 1 Interest and Balance Certificate per customer, at Auditors' request Annual charge for enterprises Annual charge for Individuals Additional charge for other extra information Inter./ Bal.Certificate for a specific a/c 3,40 Minimum annual charge per account Other Certificates 5 Minimum charge Bank reference letter 35 Utility Bill payment at the counter 1 Exchange/Deposit/Withdrawal of coins 1% Min 3 For over 35 in coins Cheques cashed 0, Min 3,40 0,65 Other local Bank cheques Central Bank cheques Security Codes 2 / 150 Per instruction / Maximum annual charge Security Codes for IBU customers 200 Annual charge for legal entities Mandate preparation 5 Annual file update / Review fee for 100 min Annual charge for legal entities IBU customers Closure of account for IBU customers E P2 Effective as from: 01/02/2015

3 CHARGES FOR FOREIGN EXCHANGE DESCRIPTION Purchase of Foreign Currency Notes COMMISSION FOR FOREIGN CURRENCY TRANSACTIONS COMMISSION FOR TRANSACTIONS IN EURO Pay cash in Euro/Deposit in Euro account minimum 3,50 N/A Deposit in same currency account Deposit in other foreign currency account Minimum 0,5% 0,5% N/A Repurchase of unused notes No commission N/A Sale of Foreign Currency Notes Receive Euro cash / Debit Euro account 1% minimum 2 / maximum 35 N/A Debit same currency / different currency account 0,5% N/A Purchase of Travellers Cheques in Euro or Foreign Currency Pay cash in Euro/Deposit in Euro account 1% minimum 5,50 N/A Deposit in same or other foreign currency account N/A N/A Deposit in different currency account 1% minimum 5,50 1% minimum 5,50 Postages concerning trav. cheques 0,17 for each trav. cheque 0,17 for each trav. cheque Purchase of Foreign Cheques in Euro or Foreign Currency (FCP) Pay cash in Euro/Deposit in Euro account Exchange Commission 0,5% minimum 3 / maximum 30 Deposit in same foreign currency account 0,5% minimum 3 / maximum 30 N/A Deposit in different currency account Exchange Commission Exchange Commission Postages per cheque 0,85 each 0,85 each Issue of Foreign Cheque in Euro or Foreign Currency Receive Euro cash / Debit Euro account Exchange Commission 0.15% minimum 5 / maximum 400 Debit same foreign currency account 0.15% minimum 5 / maximum 400 N/A Debit different currency account Exchange Commission Exchange Commission Purchase of Foreign Bills Payable in Euro or Foreign Currency (FBP) Pay cash in Euro/Deposit in Euro account Exchange Commission N/A Deposit in same foreign currency account N/A N/A Deposit in different currency account Exchange Commission Exchange Commission Transfers between accounts in same currency Between two accounts owned by same customer Between two accounts owned by different customers OUTWARD PAYMENT ORDERS (Against same currency) 1,70 5 COMMISSION FOR FOREIGN CURRENCY TRANSACTIONS N/A COMMISSION FOR TRANSACTIONS IN EURO SEPA, SWIFT transfers within Cyprus and SEPA zone (EU) up to SEPA, SWIFT transfers through Internet Banking within Cyprus and SEPA zone (EU) up to (Regulated Payment*) SWIFT transfers in EURO within Cyprus and EU over , outside Cyprus and EU for any amount and in foreign currency for any amount Transfer comm.0.15% min 5 / max Processing Fees 12 Up to transfer comm. 5 Over transfer comm. 12 Up to transfer comm. 3 Over transfer comm. 6 Transfer comm. 0.15% min 5 / max Processing Fees 12 SWIFT transfers with same day value, same currency Additional fee 0,05% min 20 max 200 Additional fee 0,05% min 20 max 200 Correspondent's charges collected from the applicant (Charges Our) Charges for discrepancy/amendment on customer instructions Up to : 10 Over : 35 Over : Up to : 10 Over : 35 Over : 60 Missing / invalid IBAN charges Outward Payment Order within the Group, same customer, same currency account 50% discount 50% discount E P3 Effective as from: 01/02/2015

4 OTHER CHARGES Rep. Office Service Charge For Outward Payment Orders with Urgent Priority 8,54 8,54 For additional information 8,54 per SWIFT message 8,54 per SWIFT message INWARD PAYMENT ORDERS SEPA, SWIFT transfers in favour of BOC customers COMMISSION FOR FOREIGN CURRENCY TRANSACTIONS Up to 2.000: 2 Over : 10 Over : 40 COMMISSION FOR TRANSACTIONS IN EURO Up to : No charge Over : 4 Over : 30 SEPA, SWIFT transfers in favour of other banks' customers Up to 2.000: processing fees Over : processing fees Over : processing fees Within PSD countries - No charge Outside PSD countries - Up to : 12 Processing fees Over : Processing fees Over : Processing fees Inward Payment Order within the Group Deposit full amount, same currency account, same customer No charge No charge Discrepancy charge MISCELLANEOUS SWIFT Message MT110 - Advice of Issue of Cheques 2 2 Forward Exchange Contracts 0, minimum 35 Transaction Investigation minimum 20 Transaction Investigation for IBU customers 1% minimum 30 1% minimum 30 Whenever there is a conversion (outward/inward payment orders) additional exchange commission is charged. DEFINITIONS EXCHANGE COMMISSION-Collected whenever there is a conversion to / from EURO and between two different foreign currencies: 0.4% min. 5 / max 400 *Regulated Payment: 1. Sending and receiving bank must be within EU 2. Payment currency should be EURO 3. Beneficiary's valid IBAN 4. Beneficiary's bank correct BIC 5. Charges "SHA" (Shared) 6. Value date greater than execution date E P4 Effective as from: 01/02/2015

5 TABLE OF COMMISSIONS AND CHARGES CONCERNING COMMERCIAL BUSINESS FOREIGN BILLS FOR COLLECTION (INWARD) Bills of Exchange with documents Collection Commission 0, Minimum 18, Maximum 100 Handling Commission 0,25% Minimum 10, Maximum 600 Bills of Exchange without documents Collection Commission 0,1% Minimum 10, Maximum 30 Handling Commission 0,25% Minimum 10, Maximum 200 Cheques Transaction Fees Handling Commission 0,25% Minimum 10, Maximum 200 Return of Unpaid Cheque 30 Per cheque Other Debits for Foreign Bills for Collection (Inward) with or without documents Transaction Fees 30 Amendment Commission 10 Acceptance Commission 15 Protest Fees 35 For amounts up to 200 For amounts (plus handling or exchange commission) For amounts over 1000 (plus handling or exchange commission) Acceptance Guarantee Commission 0, Monthly, minimum percentage of 0,6% minimum amount 25 Extension of Acceptance Guar. Com. 0, For every additional month FOREIGN BILLS FOR COLLECTION (OUTWARD) Bills of Exchange with documents Collection Commission 0, Minimum 18, Maximum 100 Handling Commission 0,25% Minimum 10, Maximum 600 Bills of Exchange without documents Collection Commission 0,1% Minimum 10, Maximum 30 Handling Commission 0,25% Minimum 10, Maximum 200 Cheques Collection Commission 0,1% Minimum 10, Maximum 30 Handling Commission 0,25% Minimum 10, Maximum 200 Other Debits for Foreign Bills for Collection (Outward) with or without documents Transaction Fees 20 Amendment Commission 10 Acceptance Commission 15 Documentary Bills Collected (in addition to the above commissions) Interest Usual lending interest from discounting date until date that proceeds credited to Bank's a/c Service Charges 15 In case of Foreign Bill Discounted IMPORT LETTERS OF CREDIT Opening Commission - w/out confirm 0, Monthly, minimum percentage 0,6%, minimum amount 50 Opening Commission - confirmed 0,125% - 0,4 Monthly, minimum percentage 0,375% - 1,25%, minimum amount 50 Transaction Fees 40 Comm.for Extens./Increase of amount -without confirmation Comm.for Extens./Increase of amount -confirmed 0, For every additional month/additional opening commission on increased amount 0,125% - 0,4 For every additional month/additional opening commission on increased amount Amendment Charges 30 Handling Commission 0,25% Minimum 10, Maximum Acceptance Commission 0, Monthly, minimum percentage 0,6%, minimum amount 50 Discrepancy Fees 75 Correspondents Commission 35 In case L/C expires unutilised Payment / Reimbursement Fees 75 For payments via SWIFT transfer (includes swift messages) EXPORT LETTERS OF CREDIT Advising Commission 0,05% Minimum 50, Maximum 100 Confirmation Commission 0, Minimum percentage for every period of 3 months, minimum amount 70. Differentiation on debit according to country / bank risk Transaction Fees 30 Amendment Charges E P5 Effective as from: 01/02/2015

6 Handing Commission 0,25% Minimum 10 Payment / Execution Commission 0,25% Minimum 40, Maximum 150 Acceptance Commission (for Confirmed Credits) Discrepancy Fees 75 Pre-checking of documents 35 Minimum amount 0, Minimum percentage for every period of 3 months minimum amount 70. Differentiation on debit according to country / bank risk. As commission's percentage, confirmation commission percentage applies Interest (for discounting / negotiation) Assignment of proceeds 50 Transferable Letters of Credit Usual lending interest from the date of negotiation / discounting until date that proceeds credited to Bank's a/c Transfer Commission 0,1% For every month minimum percentage 0,3%, minimum amount 80 Transaction Fees 30 Amendment Charges 30 Commission for Extend / Increase of amt. 0,1% For every additional month / additional transfer commission on increased amount Payment / Reimbursement Fees 75 For payments via SWIFT transfer (includes swift messages) DEPOSIT OF GOODS INTO BONDED WAREHOUSE / WITHDRAWAL Commission of deposit of goods 0,05% Minimum 50, Maximum 100 Withdrawal Commission 0,025% For period of 3 months from deposit date until date of each withdrawal with minimum 20 per withdrawal Visit for goods Inspection 100 Per visit SHIPPING GUARANTEES / LETTERS OF UNDERTAKING (for Letters of Credit and Bills for Collection) Issuance commission (Shipping Guarantee) Transaction Fee 10 Issuance commission (Letters of Undertaking) LETTERS OF GUARANTEE - LOCAL 30 For a period of 3 months and 10 per mon. thereafter until cancellation of guarantee 20 For endorsement of Airway Bills, arrival notifications etc, without presentation of any docs (Letters of Undertaking) Issuance commission 0,25% - 0,50% Per quarter. Monthly debit for every additional month, min. 3 months min. amt. 25 Extension / Increase Commission 0,25% - 0,50% Per quarter. Monthly debit for every additional month / additional issuance commission on increased amount LETTERS OF GUARANTEE - FOREIGN - (Adviced Guarantees - Advise without any responsibility) Advice commission 50 LETTERS OF GUARANTEE - FOREIGN - (Counter Guarantees - with the counter guarantee of our correspondents) Issuance commission 0, Minimum percentage per quarter. Minimum amount 35. Differentiation on debit according to country / bank risk. For Banks in Italy 0,01% additionally on the above LETTERS OF GUARANTEE - FOREIGN (Outward) / STANDBY LETTERS OF CREDIT Issuance commission 0,25% - 1,25% Per quarter. Monthly debit for every additional month, min. 3 months min. amt. 25 Extension / Increase Commission 0,25% - 1,25% Per quarter. Monthly debit for every additional month / additional issuance commission on increased amount Letters of Guarantee - Other Debits Transaction Fees 30 L/Gs (Adviced Guar., Counter Guar. and Foreign - Outward) and Standby L/Credit Amendment Commission 25 Handling Commission 0,25% Minimum 10, Maximum 400 for payment of claims via SWIFT transfer Handling of Claim 0,1% Minimum 30, Maximum 100 Confirmation Commission (Standby L/Credit) OTHER COMMISSIONS 0, Minimum percentage for every period of 3 months minimum amount 70. Differentiation on debit according to country / bank risk Exchange Commission 0,4% Minimum 5, Maximum 400. Collected whenever there is conversion of currency and replaces handling commission Investigation Fees 15 Handl. / Evaluation of complicated cases Cancellation Commission 20 For cancellation before or after issuance Courier charges abroad / local 35 / 10 Postages - abroad 10 For registered mail Commission for transfer / payment 35 Does not apply for payments via SWIFT transfer under Import L/C and Transf. L/C Postages - fax / Swift Charges 5 / 15 Note: Additional information for specialised banking services, can be provided by any Branch / Unit of the Bank of Cyprus E P6 Effective as from: 01/02/2015

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